Profil
Mr. Kenneth Ong is a Portfolio Manager at Lion Global Investors Ltd. He is responsible for the Singapore market within our Asian equities, ASEAN team.
He was previously also the specialist for Indonesia.
He has over 13 years of financial industry experience.
Prior to joining us, he was with the GuocoLand Group where he sourced for and conducted valuations on real estate mergers and acquisitions in the Asia-Pacific region.
He was awarded the Singapore Public Service Commission scholarship and graduated from the University of California, Berkeley with double degree honours.
Aktive Positionen von Kenneth Ong
| Unternehmen | Position | Beginn |
|---|---|---|
Lion Global Investors Ltd.
Lion Global Investors Ltd. Investment ManagersFinance LGI employs a team-based and research intensive investment approach. The firm combines a top-down and bottom-up approach. For equities, LGI focuses on the long-term which they believe allows them to avoid selling too early or overtrading the portfolio. They aim to identify high conviction ideas that are trading at substantial discounts to fair value. For fixed-income investments, the firm continuously monitors market and economic indicators. They aim to diversify risk across country, duration, yield curve, currency and credit. | Portfolio Manager-Aktien | 01.08.2011 |
Erfahrungen
Besetzte Positionen
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Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
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Herr
Frau
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Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
Lion Global Investors Ltd.
Lion Global Investors Ltd. Investment ManagersFinance LGI employs a team-based and research intensive investment approach. The firm combines a top-down and bottom-up approach. For equities, LGI focuses on the long-term which they believe allows them to avoid selling too early or overtrading the portfolio. They aim to identify high conviction ideas that are trading at substantial discounts to fair value. For fixed-income investments, the firm continuously monitors market and economic indicators. They aim to diversify risk across country, duration, yield curve, currency and credit. | Finance |
















